VWUSX Holdings — Vanguard U.s. Growth Fund

All 107 reported holdings of Vanguard U.s. Growth Fund (VWUSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp12.15%$5.78B
Amazon.com Inc7.62%$3.63B
Apple Inc7.11%$3.38B
Broadcom Inc6.34%$3.01B
Microsoft Corp5.97%$2.84B
Alphabet Inc5.33%$2.53B
Eli Lilly & Co3.41%$1.62B
Tesla Inc2.91%$1.39B
Meta Platforms Inc2.84%$1.35B
Alphabet Inc2.41%$1.15B
Mastercard Inc2.10%$1.00B
Netflix Inc1.84%$875.06M
General Electric Co1.66%$791.83M
Vanguard Cmt Funds-Vanguard Market Liquidity Fund1.42%$674.96M
Shopify Inc1.37%$652.50M
Cloudflare Inc1.29%$611.38M
Taiwan Semiconductor Manufacturing Co Ltd1.16%$550.07M
Advanced Micro Devices Inc1.07%$507.21M
Spotify Technology SA1.02%$486.74M
Intuitive Surgical Inc1.00%$476.97M
DoorDash Inc0.99%$470.08M
Cadence Design Systems Inc0.98%$465.51M
Datadog Inc0.85%$405.13M
Snowflake Inc0.85%$405.04M
Crowdstrike Holdings Inc0.76%$362.82M
Visa Inc0.74%$350.94M
Stryker Corp0.73%$345.69M
ASML Holding NV0.72%$340.28M
Axon Enterprise Inc0.66%$311.75M
Analog Devices Inc0.63%$299.12M
AppLovin Corp0.62%$294.58M
Fastenal Co0.61%$289.82M
Arista Networks Inc0.58%$276.88M
Palo Alto Networks Inc0.55%$263.10M
Ensign Group Inc/The0.55%$262.57M
MSCI Inc0.54%$257.32M
Boeing Co/The0.53%$251.62M
IDEXX Laboratories Inc0.50%$239.73M
Walmart Inc0.50%$237.18M
Watsco Inc0.48%$226.56M
Guardant Health Inc0.47%$222.62M
Costco Wholesale Corp0.47%$221.64M
Uber Technologies Inc0.45%$215.03M
Hilton Worldwide Holdings Inc0.45%$212.75M
KLA Corp0.44%$210.14M
Eaton Corp PLC0.42%$199.14M
Constellation Energy Corp0.41%$195.85M
Welltower Inc0.39%$186.71M
Amphenol Corp0.38%$181.70M
CoStar Group Inc0.38%$178.43M
Samsara Inc0.37%$177.50M
KKR & Co Inc0.37%$177.35M
Natera Inc0.37%$175.04M
Affirm Holdings Inc0.37%$173.67M
Walt Disney Co/The0.36%$172.08M
United Therapeutics Corp0.36%$169.35M
Microchip Technology Inc0.36%$169.24M
Alnylam Pharmaceuticals Inc0.35%$167.39M
Palantir Technologies Inc0.35%$166.71M
Oracle Corp0.33%$158.43M
Starbucks Corp0.33%$156.26M
Nasdaq Inc0.32%$154.23M
TransUnion0.32%$151.69M
Knife River Corp0.31%$146.93M
Vertiv Holdings Co0.31%$145.56M
Aurora Innovation Inc0.30%$145.06M
SharkNinja Inc0.29%$139.49M
S&P Global Inc0.29%$138.26M
Corpay Inc0.28%$132.41M
RBC Bearings Inc0.27%$126.58M
Workday Inc0.26%$122.99M
Block Inc0.25%$120.37M
Moderna Inc0.25%$120.34M
ROBLOX Corp0.25%$117.60M
Vertex Pharmaceuticals Inc0.24%$115.46M
Wayfair Inc0.24%$112.21M
Tempus AI Inc0.23%$111.25M
Ross Stores Inc0.23%$110.12M
Sandisk Corp/DE0.23%$107.21M
DraftKings Inc0.22%$106.70M
Tradeweb Markets Inc0.22%$104.97M
Medline Inc0.22%$103.70M
YETI Holdings Inc0.22%$103.11M
Seagate Technology Holdings PLC0.22%$102.42M
Lemonade Inc0.21%$98.73M
Duolingo Inc0.20%$96.30M
Cummins Inc0.18%$87.80M
Credo Technology Group Holding Ltd0.17%$81.21M
Waste Connections Inc0.17%$78.56M
Monolithic Power Systems Inc0.15%$71.43M
Nomura Securities International, Inc.0.15%$69.30M
Insulet Corp0.14%$68.68M
Denali Therapeutics Inc0.13%$63.92M
Lineage Inc0.13%$62.83M
Figma Inc0.13%$62.43M
Sweetgreen Inc0.13%$61.41M
Societe Generale0.11%$54.60M
Morgan Stanley0.10%$48.82M
Rivian Automotive Inc0.09%$44.19M
ARM Holdings PLC0.08%$40.00M
American Express Co0.06%$30.13M
Bank of America Securities, LLC0.06%$29.30M
Coinbase Global Inc0.06%$28.43M
Oddity Tech Ltd0.05%$24.06M
Circle Internet Group Inc0.03%$11.90M
Recursion Pharmaceuticals Inc0.02%$11.70M
ABIOMED Inc0.00%$732.62K

VWUSX overview: performance, fees, allocation and SEC filings